Stock market integration and international portfolio diversification : a study of the Asian financial crisis (1996–2007) / Surianor binti Kamaralzaman
The purpose of this thesis is to investigate a comprehensive, concurrent comparison of the linkages and the potential benefits of international diversification between Malaysian financial market and developed and developing countries. This study takes a two-fold approach to investigate the issue of...
| المؤلف الرئيسي: | Kamaralzaman, Surianor |
|---|---|
| التنسيق: | أطروحة |
| منشور في: |
2015
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| الموضوعات: |
مواد مشابهة
Market integration and international portfolio diversification from Malaysian perspective / Surianor Binti Kamaralzaman
حسب: Surianor, Kamaralzaman
منشور في: (2011)
حسب: Surianor, Kamaralzaman
منشور في: (2011)
International Portfolio Diversification : Reality or Myth
حسب: Fazli, Zainal Abidin
منشور في: (2009)
حسب: Fazli, Zainal Abidin
منشور في: (2009)
Implications of the Middle East Emerging Markets on International Portfolio Diversification
حسب: Mansourfar, Gholamreza
منشور في: (2010)
حسب: Mansourfar, Gholamreza
منشور في: (2010)
Asset correlation and international portfolio diversification benefit / Noor Azida Abu Bakar
حسب: Abu Bakar, Noor Azida
منشور في: (2011)
حسب: Abu Bakar, Noor Azida
منشور في: (2011)
The Contagion Effect of the 2007 Global Financial Crisis on the Malaysian Stock Market
حسب: Adam, Gawi Mohamed Khalifa
منشور في: (2012)
حسب: Adam, Gawi Mohamed Khalifa
منشور في: (2012)
The impact of Malaysian real estate investment trust in portfolio diversification
حسب: Abdul Jalil, Rohaya
منشور في: (2007)
حسب: Abdul Jalil, Rohaya
منشور في: (2007)
The impact of international portfolio
diversification in a fully funded
pension system: the case of the
Malaysian employee provident fund
حسب: Lee, Yi Ying
منشور في: (2014)
حسب: Lee, Yi Ying
منشور في: (2014)
The impact of international portfolio diversification in a fully funded pension system: the case of the malaysian employee provident fund
حسب: Lee, Yi Ying
منشور في: (2014)
حسب: Lee, Yi Ying
منشور في: (2014)
Effectiveness of fuzzy approach in maximizing portfolio diversification benefit / Zulkifli Mohamed
حسب: Mohamed, Zulkifli
منشور في: (2011)
حسب: Mohamed, Zulkifli
منشور في: (2011)
Performance of Property Listed Companies in Malaysia : 1996 - 2007
حسب: Wan Marazah, Wan Zahari
منشور في: (2008)
حسب: Wan Marazah, Wan Zahari
منشور في: (2008)
Seasonality in stock returns : the Malaysian phenomenon from 1976 to 1996 : in comparison with selected international stock markets / Beh Teng Soon
حسب: Beh, Teng Soon
منشور في: (1997)
حسب: Beh, Teng Soon
منشور في: (1997)
The East Asian Economic Crisis: A Discussion
حسب: Ibrahim, Shamsulkamal
منشور في: (1998)
حسب: Ibrahim, Shamsulkamal
منشور في: (1998)
Diversification, economic impact and volatility modeling of Asian real estate investment trusts
حسب: Loo, Wei Kang
منشور في: (2016)
حسب: Loo, Wei Kang
منشور في: (2016)
An evaluation of economic policies and performance of selected East Asian economies since the financial crisis / Jaswinder Singh.
حسب: Singh, Jaswinder
منشور في: (2003)
حسب: Singh, Jaswinder
منشور في: (2003)
Performance of sectors in the Bursa Malaysia Main Board after the East Asian financial crisis / Bhaskar Kannan
حسب: Kannan, Bhaskar
منشور في: (2004)
حسب: Kannan, Bhaskar
منشور في: (2004)
Comprehensive diversification measure of diversification strategies and performance of selected firms
حسب: Asrarhaghighi, Ebrahim
منشور في: (2013)
حسب: Asrarhaghighi, Ebrahim
منشور في: (2013)
Calendar anomalies in selected Asian stock returns
حسب: Chia, Ricky Chee Jiun
منشور في: (2008)
حسب: Chia, Ricky Chee Jiun
منشور في: (2008)
Impact of Changes in Macroeconomic Factors of Stock Price Performance: A Comparative Analysis of Pre Crisis And Crisis Periods
حسب: Ali, Norli
منشور في: (2001)
حسب: Ali, Norli
منشور في: (2001)
Downside deviation quadratic programming and heuristic approaches for shariah stock portfolio optimization
حسب: Muhammad Mussafi, Noor Saif
منشور في: (2022)
حسب: Muhammad Mussafi, Noor Saif
منشور في: (2022)
The Impact of Ownership Structure, Business Diversification and Company Size on Performance of Listed Companies in Indonesia Stock Exchange (IDX)
حسب: Masdupi, Erni
منشور في: (2010)
حسب: Masdupi, Erni
منشور في: (2010)
Malaysian property and construction companies: diversification potential, stock price behaviour and its response towards macroeconomic shocks
حسب: Nur Atiqah, Abdullah
منشور في: (2016)
حسب: Nur Atiqah, Abdullah
منشور في: (2016)
Exchange market pressure in identifying currency crisis and its effectiveness in monetary policy in selected Asian countries
حسب: Tey, Sheik Kyin
منشور في: (2018)
حسب: Tey, Sheik Kyin
منشور في: (2018)
The Finance-Growth-Crisis Nexus in India and Selected Asian Countries: Causality Analysis Based on Summary Indicator
حسب: Fukuda, Takashi
منشور في: (2010)
حسب: Fukuda, Takashi
منشور في: (2010)
Nonlinearity And The Random Walk Behaviour Of East Asian Stock Prices
حسب: Vun, Methew Kien Chung
منشور في: (2007)
حسب: Vun, Methew Kien Chung
منشور في: (2007)
Momentum And Investor Sentiment:
Evidence From Asian Stock Markets
حسب: Anusakumar, Shangkari V.
منشور في: (2013)
حسب: Anusakumar, Shangkari V.
منشور في: (2013)
The Effect Of Independent Board On Stock Liquidity In East Asian Countries
حسب: Bazrafshan, Ebrahim
منشور في: (2016)
حسب: Bazrafshan, Ebrahim
منشور في: (2016)
Business-government relations : a comparative study of Malaysian and South Korean experience after the Asian financial crisis / Cheong Yee Sum.
حسب: Cheong, Yee Sum
منشور في: (2003)
حسب: Cheong, Yee Sum
منشور في: (2003)
Business-government relations : a comparative study of Malaysian and South Korean experience after the Asian financial crisis / Cheong Yee Sum.
حسب: Cheong , Yee Sum
منشور في: (2003)
حسب: Cheong , Yee Sum
منشور في: (2003)
A structural model of the antecedents and consequences of internal crisis communication
حسب: Adamu, Adamu Abbas
منشور في: (2018)
حسب: Adamu, Adamu Abbas
منشور في: (2018)
The Impact Of Corruption, Country Governance Indicators And Loan Portfolio Concentration On Nonperforming Loans Of Three Selected South Asian Countries
حسب: Rehman, Abdul
منشور في: (2022)
حسب: Rehman, Abdul
منشور في: (2022)
The Effects of Board Size, Ownership and Diversification on Financial Distress Firms
حسب: Siti Aishah, Kassim
منشور في: (2010)
حسب: Siti Aishah, Kassim
منشور في: (2010)
Multi-objective portfolio selection with skewness preference: An application to the stock and electricity markets / Karoon Suksonghong
حسب: Karoon, Suksonghong
منشور في: (2014)
حسب: Karoon, Suksonghong
منشور في: (2014)
Chloroplast DNA diversification of Malaysian Pineapple
حسب: Hamdan, Norfadilah
منشور في: (2013)
حسب: Hamdan, Norfadilah
منشور في: (2013)
Comparison between the economic fundamentals of Malaysia and Singapore prior to the 1997 Southeast Asian Currency crisis / Lai Mun Chow
حسب: Lai, Mun Chow
منشور في: (2000)
حسب: Lai, Mun Chow
منشور في: (2000)
Productivity Growth Amongst Malaysian Finance Companies, 1988-1996
حسب: Abd Kadir, Hazlina
منشور في: (2001)
حسب: Abd Kadir, Hazlina
منشور في: (2001)
Relationship Between Marketing Of Financial Services And Bank Performance In Malaysia : An Empirical Study (1996 - 1998)
حسب: Selvan, Perumal
منشور في: (2000)
حسب: Selvan, Perumal
منشور في: (2000)
The significance and performance of Malaysian listed property companies in international mixed asset portfolio strategies
حسب: Azmi, Nurul Afiqah
منشور في: (2018)
حسب: Azmi, Nurul Afiqah
منشور في: (2018)
Empirical Test of Macroeconomic Variables and Stock Market Returns in Asian Emerging Market
حسب: Selamat, Zarehan
منشور في: (2001)
حسب: Selamat, Zarehan
منشور في: (2001)
Corporate board, diversification strategies, and the value of diversified listed companies: the moderating effect of managers' wealth maximization on diversification value
حسب: Salisu, Umar
منشور في: (2020)
حسب: Salisu, Umar
منشور في: (2020)
Cross-border mergers and acquisitions in emerging markets after the 2007 economic crisis / Amani John Mayage.
حسب: Mayage, Amani John
منشور في: (2011)
حسب: Mayage, Amani John
منشور في: (2011)
مواد مشابهة
-
Market integration and international portfolio diversification from Malaysian perspective / Surianor Binti Kamaralzaman
حسب: Surianor, Kamaralzaman
منشور في: (2011) -
International Portfolio Diversification : Reality or Myth
حسب: Fazli, Zainal Abidin
منشور في: (2009) -
Implications of the Middle East Emerging Markets on International Portfolio Diversification
حسب: Mansourfar, Gholamreza
منشور في: (2010) -
Asset correlation and international portfolio diversification benefit / Noor Azida Abu Bakar
حسب: Abu Bakar, Noor Azida
منشور في: (2011) -
The Contagion Effect of the 2007 Global Financial Crisis on the Malaysian Stock Market
حسب: Adam, Gawi Mohamed Khalifa
منشور في: (2012)